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leASE NAME: FPFG LIQUIDATING TRUST




leASE NUMBER: 09-33918-HDH-11


                                               UNITED STATES BANKRUPTCY COURT

                                                   NORTHERN DISTRICT OF TEXAS

                                                            DALLAS DIVISON

                                                    FOR POST CONFIRMATION USE

                                                  QUARTERLY OPERATING REPORT

                                                                    AND

                                                QUARTERLY BANK RECONCILEMENT


                                     QUARTER ENDING: SEPTEMBER 30, 2012

In accordance with Title 28, Section 1746, of the United States Code, I declare under penalty of perjury that I have
examined the attached Post Confirmation Quarterly Operating Report, and the Post Confirmation Quarterly Bank
Reconcilement and, to the best of my knowledge, these documents are true, correct and complete. Declaration of the
preparer (other than responsible party), is based on all information of which preparer has any knowledge.


RESPONSIBLE PARTY:

Original Signature of Responsible Party                                             Is/ Matthew D. Orwig

Printed Name of Responsible Party                                                     Matthew D. Orwig

Title                                                                           Post-Confirmation Trustee

Date                                                                                       10/30/2012

PREPARER:
Original Signature of Preparer                                                  Is/ J. James Jenkins
                                                                              J. James Jenkins, CPA
Printed Name ofPreparer                                               Robbins Tapp Cobb & Associates, PLLC

Title                                                                            Accountants for Trustee

Date                                                                                      10/30/2012
POST CONFIRMATION
QUARTERLY OPERATING REPORT




leASE NAME: FPFG LIQUIDATING TRUST



leASE NUMBER: 09-33918-HDH-11




QUARTER ENDING: SEPTEMBER 30, 2012

    I BEGINNING OF QUARTER CASH BALANCE:                                        367,880



     CASH RECEIPTS:
     CASH RECEIPTS DURING CURRENT QUARTER:
     (a). Cash receipts from business operations- Litigation Settlement     +   675,000
     (b). Cash receipts from loan proceeds - Savings Interest               +       220
     (c). Cash receipts from contributed capital - FPFG Chapter II Estate   +         0
     (d). Cash receipts from tax refunds                                    +
     (e). Cash receipts from other sources- Trustee Bond Refund             +         0
   2_ TOTAL CASH RECEIPTS                                                   =   675,220

     CASH DISBURSEMENTS:
     (A). PAYMENTS MADE UNDER THE PLAN:
     (I). Administrative- Chapter II Professional Fees                      +         0
     (2). Secured Creditors                                                 +         0
     (3). Priority Creditors                                                +         0
     (4 ). Unsecured Creditors                                              +         0
     (5). Additional Plan Payments                                          +
     (B). OTHER PAYMENTS MADE THIS QUARTER:
     (I). General Business                                                  +    76,431
     (2). Other Disbursements - US Trustee Program                          +     5,850

   3 TOTAL DISBURSEMENTS THIS QUARTER                                            82,281

   4 CASH BALANCE END OF QUARTER                                            =   960,819
POST CONFIRMATION
QUARTERLY BANK RECONCILEMENT



      ICASE NAME: FPFG LIQUIDATING TRUST




      ICASE NUMBER: 09-339I8-HDH-Il



The reorganized debtor must complete the reconciliation below for each bank account, including all general, payroll
and tax accounts, as we11 as al1 savings and investment accounts, money market accounts, certificates of deposits, governmental
obligations, etc. Accounts'with restricted funds should be identified by placing an asterisk next to the account number.
Attach additional sheets for each bank reconcilement if necessary.


      QUARTER ENDING· SEPTEMBER 30 2012
      Bank Reconciliations                     Account #I
                                                                '    Account #2            Account#3          Account #4
 A. Bank                                       Wells Fargo Wells Fargo
                                                                                                                                      TOTAL
 B.   Account Number                           *****0186     *****7864
 c.   Purpose (Type)                              Checking       Savings
 I    Balance Per Bank Statement                       5,600       955,219                                                             960,819
 2    Add: Total Deposits Not Credit                                                                                              +          0
 3    Subtract: Outstanding Checks                                                                                                           0
 4    Other Reconciling Items                                                                                                                0
 5    Month End Balance Per Books                       5,600               955,219                                               ~
                                                                                                                                       960,819
 6    Number of Last Check Written                   #1025                     NA
 7    Cash: Currency on Hand                                0                    0                                                +         0
8     Total Cash- End Of Month                          5,600              955,219                                                =   960,819




      CASH IN:
      INVESTMENT ACCOUNTS
                                               Date of               Type of
      Bank, Account Name & Number              Purchase              Instrument                                                       Value
9                                                                                                                                 +
10                                                                                                                                +
II                                                                                                                                +
12                                                                                                                                +
13 Total Cash Investments                                                                                                         =          0
14 TOTAL CASH                                  LINE 8- PLUS LINE 13 =LINE 14        ****                                              960,819
                                                                                                                                      ****
****Must tie to Lme 4, Quarterly Operating Report

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Doc998 quarterly operating report 2012-09-30

  • 1. leASE NAME: FPFG LIQUIDATING TRUST leASE NUMBER: 09-33918-HDH-11 UNITED STATES BANKRUPTCY COURT NORTHERN DISTRICT OF TEXAS DALLAS DIVISON FOR POST CONFIRMATION USE QUARTERLY OPERATING REPORT AND QUARTERLY BANK RECONCILEMENT QUARTER ENDING: SEPTEMBER 30, 2012 In accordance with Title 28, Section 1746, of the United States Code, I declare under penalty of perjury that I have examined the attached Post Confirmation Quarterly Operating Report, and the Post Confirmation Quarterly Bank Reconcilement and, to the best of my knowledge, these documents are true, correct and complete. Declaration of the preparer (other than responsible party), is based on all information of which preparer has any knowledge. RESPONSIBLE PARTY: Original Signature of Responsible Party Is/ Matthew D. Orwig Printed Name of Responsible Party Matthew D. Orwig Title Post-Confirmation Trustee Date 10/30/2012 PREPARER: Original Signature of Preparer Is/ J. James Jenkins J. James Jenkins, CPA Printed Name ofPreparer Robbins Tapp Cobb & Associates, PLLC Title Accountants for Trustee Date 10/30/2012
  • 2. POST CONFIRMATION QUARTERLY OPERATING REPORT leASE NAME: FPFG LIQUIDATING TRUST leASE NUMBER: 09-33918-HDH-11 QUARTER ENDING: SEPTEMBER 30, 2012 I BEGINNING OF QUARTER CASH BALANCE: 367,880 CASH RECEIPTS: CASH RECEIPTS DURING CURRENT QUARTER: (a). Cash receipts from business operations- Litigation Settlement + 675,000 (b). Cash receipts from loan proceeds - Savings Interest + 220 (c). Cash receipts from contributed capital - FPFG Chapter II Estate + 0 (d). Cash receipts from tax refunds + (e). Cash receipts from other sources- Trustee Bond Refund + 0 2_ TOTAL CASH RECEIPTS = 675,220 CASH DISBURSEMENTS: (A). PAYMENTS MADE UNDER THE PLAN: (I). Administrative- Chapter II Professional Fees + 0 (2). Secured Creditors + 0 (3). Priority Creditors + 0 (4 ). Unsecured Creditors + 0 (5). Additional Plan Payments + (B). OTHER PAYMENTS MADE THIS QUARTER: (I). General Business + 76,431 (2). Other Disbursements - US Trustee Program + 5,850 3 TOTAL DISBURSEMENTS THIS QUARTER 82,281 4 CASH BALANCE END OF QUARTER = 960,819
  • 3. POST CONFIRMATION QUARTERLY BANK RECONCILEMENT ICASE NAME: FPFG LIQUIDATING TRUST ICASE NUMBER: 09-339I8-HDH-Il The reorganized debtor must complete the reconciliation below for each bank account, including all general, payroll and tax accounts, as we11 as al1 savings and investment accounts, money market accounts, certificates of deposits, governmental obligations, etc. Accounts'with restricted funds should be identified by placing an asterisk next to the account number. Attach additional sheets for each bank reconcilement if necessary. QUARTER ENDING· SEPTEMBER 30 2012 Bank Reconciliations Account #I ' Account #2 Account#3 Account #4 A. Bank Wells Fargo Wells Fargo TOTAL B. Account Number *****0186 *****7864 c. Purpose (Type) Checking Savings I Balance Per Bank Statement 5,600 955,219 960,819 2 Add: Total Deposits Not Credit + 0 3 Subtract: Outstanding Checks 0 4 Other Reconciling Items 0 5 Month End Balance Per Books 5,600 955,219 ~ 960,819 6 Number of Last Check Written #1025 NA 7 Cash: Currency on Hand 0 0 + 0 8 Total Cash- End Of Month 5,600 955,219 = 960,819 CASH IN: INVESTMENT ACCOUNTS Date of Type of Bank, Account Name & Number Purchase Instrument Value 9 + 10 + II + 12 + 13 Total Cash Investments = 0 14 TOTAL CASH LINE 8- PLUS LINE 13 =LINE 14 **** 960,819 **** ****Must tie to Lme 4, Quarterly Operating Report